Financials
Value 202020212022202320242025 TTM Cash from investing activities -13.64 M-14.87 M-249.53 M-20.03 M-13.08 M-20.96 M -20.96 M Cash from financing activities -52.06 M-101.55 M225 M-110.43 M-151 M-135.82 M -135.82 M Free cash flow 51.52 M96.9 M11.58 M106.32 M153.88 M150.88 M 150.88 M